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金融市场的事件研究方法 被引量:5

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摘要 本文介绍了广泛应用于金融市场实证研究的事件研究法的概念、发展过程和基本步骤,并对确定正常收益和非正常收益的不同模型进行了介绍和比较,最后通过一个简洁的实例说明了事件研究法的具体应用。
作者 段瑞强
出处 《统计教育》 2004年第5期55-56,共2页 Statistical education
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